Question: The correlation between returns on Alpha and Bravo is 0.30 . The investor will put 40% of her wealth in Alpha and the 60% of

 The correlation between returns on Alpha and Bravo is 0.30 .

The correlation between returns on Alpha and Bravo is 0.30 . The investor will put 40% of her wealth in Alpha and the 60% of her wealth in Brawo. What is the expected return on the investor's portfolio? 14.00\% None are correct 7.2086 7.85%

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